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Larry Forman H. Mergers and Acquisitions Basics. The Key Steps of Acquisitions, Divestitures, and Investments finance and investments

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The essential executive M&A primer, with practical tools and expert in...

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James Lukaszewski E. Why Should the Boss Listen to You?. The Seven Disciplines of the Trusted Strategic Advisor finance and investments

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This is a book about gaining influence and becoming a key trusted advi...

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E. Stavetski J. Managing Hedge Fund Managers. Quantitative and Qualitative Performance Measures finance and investments

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Invaluable insight into measuring the performance of today's hedge fun...

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Colin Barrow Starting and Running a Business All-in-One For Dummies finance and investments

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Written by a team of business and finance experts, Starting & Running...

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Stephen Gresham D. The New Managed Account Solutions Handbook. How to Build Your Financial Advisory Practice Using Managed Account Solutions finance and investments

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Industry experts share their insight and tell you why: Unified managed...

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Rajeev Sawant J. Infrastructure Investing. Managing Risks & Rewards for Pensions, Insurance Companies & Endowments finance and investments

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Helm C. Market Leader. Accounting & Finance. Business English finance and investments

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Mirjam Bult-Spiering Strategic Issues in Public-Private Partnerships finance and investments

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Pietro Veronesi Handbook of Fixed-Income Securities finance and investments

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A comprehensive guide to the current theories and methodologies intrin...

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CFA Institute CFA Program Curriculum 2018 Level I finance and investments

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Daniel Lacalle Life in the Financial Markets. How They Really Work And Why They Matter To You finance and investments

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Antonios Alexandridis K. Wavelet Neural Networks. With Applications in Financial Engineering, Chaos, and Classification finance and investments

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Alejandro Cremades The Art of Startup Fundraising. Pitching Investors, Negotiating the Deal, and Everything Else Entrepreneurs Need to Know finance and investments

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SIFMA The Fundamentals of Municipal Bonds finance and investments

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Для информации:

A comprehensive guide to the current theories and methodologies intrinsic to fixed-income securities Written by well-known experts from a cross section of academia and finance, Handbook of Fixed-Income Securities features a compilation of the most up-to-date fixed-income securities techniques and methods. The book presents crucial topics of fixed income in an accessible and logical format. Emphasizing empirical research and real-life applications, the book explores a wide range of topics from the risk and return of fixed-income investments, to the impact of monetary policy on interest rates, to the post-crisis new regulatory landscape. Well organized to cover critical topics in fixed income, Handbook of Fixed-Income Securities is divided into eight main sections that feature: • An introduction to fixed-income markets such as Treasury bonds, inflation-protected securities, money markets, mortgage-backed securities, and the basic analytics that characterize them • Monetary policy and fixed-income markets, which highlight the recent empirical evidence on the central banks’ influence on interest rates, including the recent quantitative easing experiments • Interest rate risk measurement and management with a special focus on the most recent techniques and methodologies for asset-liability management under regulatory constraints • The predictability of bond returns with a critical discussion of the empirical evidence on time-varying bond risk premia, both in the United States and abroad, and their sources, such as liquidity and volatility • Advanced topics, with a focus on the most recent research on term structure models and econometrics, the dynamics of bond illiquidity, and the puzzling dynamics of stocks and bonds • Derivatives markets, including a detailed discussion of the new regulatory landscape after the financial crisis and an introduction to no-arbitrage derivatives pricing • Further topics on derivatives pricing that cover modern valuation techniques, such as Monte Carlo simulations, volatility surfaces, and no-arbitrage pricing with regulatory constraints • Corporate and sovereign bonds with a detailed discussion of the tools required to analyze default risk, the relevant empirical evidence, and a special focus on the recent sovereign crises A complete reference for practitioners in the fields of finance, business, applied statistics, econometrics, and engineering, Handbook of Fixed-Income Securities is also a useful supplementary textbook for graduate and MBA-level courses on fixed-income securities, risk management, volatility, bonds, derivatives, and financial markets. Pietro Veronesi, PhD, is Roman Family Professor of Finance at the University of Chicago Booth School of Business, where he teaches Masters and PhD-level courses in fixed income, risk management, and asset pricing. Published in leading academic journals and honored by numerous awards, his research focuses on stock and bond valuation, return predictability, bubbles and crashes, and the relation between asset prices and government policies.